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iShares Russell Mid-Cap Growth ETF IWP

iSharesETFUnited States
$140.80
▲ +3.69% (1 anno)
20042007201020132016201920222025

Statistiche

AUM (patrimonio)$20.66 B
TER (costo annuo)0.23%
Titoli278
Quotato dal17 lug 2001
ValutaUSD
EmittenteiShares
DomicilioUnited States
ISINUS4642874816

Prime posizioni

#1VRT0.04%
#2HWM0.03%
#3PWR0.03%
#4HLT0.03%
#50I1W.L0.02%
#6MPWR0.02%
#7DDOG0.02%
#8NET0.02%
#9FIX0.02%
#10TRGP0.02%

Ripartizione geografica

0%27%54%81%108%North AmericaLatin America

Ripartizione settoriale

Industrials
24.4%
Technology
23.7%
Consumer Cyclicals
19.5%
Healthcare
12.8%
Financial Services
6.4%
Communication Services
3.9%
Energy
3.5%
Utilities
2.6%
Consumer Defensive
1.4%
Real Estate
1.3%
Basic Materials
0.4%

Performance

YTD
+1.9%
1 mese
+2.5%
3 mesi
+8.6%
6 mesi
+1.1%
1 anno
+3.7%
3 anni
+52.1%
5 anni
+29.5%
Dall'inizio
+670.5%
Rendimenti mensili (%)
AnnoGenFebMarAprMagGiuLugAgoSetOttNovDicAnno
2026-1.90.8-5.55.45.0-1.5+1.9%
20253.7-5.7-16.818.46.35.3-0.62.70.0-0.6-2.3-0.4+6.4%
20241.75.71.7-4.7-0.11.5-3.87.13.91.013.3-4.0+24.3%
202311.4-0.7-1.5-1.43.04.5-0.30.7-5.8-0.38.85.4+25.0%
2022-13.6-4.26.0-11.8-3.1-7.110.7-4.7-7.44.69.4-6.8-27.4%
2021-0.41.7-0.13.5-1.77.50.54.5-5.46.2-7.63.9+12.2%
20200.3-6.9-19.618.713.14.06.3-1.53.1-0.315.03.1+33.7%
201911.55.90.54.6-5.96.8-0.00.4-1.53.13.91.6+34.3%
20183.4-1.1-0.30.23.7-0.83.04.7-0.8-8.40.8-8.7-5.3%
20174.12.5-0.21.54.0-1.41.11.42.23.02.60.9+23.9%
2016-7.55.13.6-0.62.1-0.34.40.5-1.1-5.85.21.0+6.0%
2015-1.56.90.00.30.1-1.51.2-7.4-0.94.50.2-2.6-1.3%
2014-1.56.3-2.9-0.32.44.1-4.35.6-3.22.83.3-0.8+11.3%
20134.00.23.52.51.6-1.38.3-4.05.91.72.02.1+29.2%
201210.81.41.6-2.5-7.94.90.92.51.6-1.71.64.3+17.6%
20114.71.51.92.9-3.93.7-5.4-10.7-6.414.9-1.8-1.7-2.8%
2010-4.04.97.62.1-9.3-5.17.81.95.23.87.61.6+24.9%
2009-8.5-7.316.77.04.7-2.010.13.61.0-0.27.43.4+38.8%
2008-1.2-3.63.03.63.5-11.0-0.61.5-23.7-13.5-10.37.6-39.8%
20074.9-3.62.86.32.4-2.3-3.92.33.70.9-2.8-4.7+5.3%
20064.71.21.8-0.0-3.2-2.3-3.32.61.52.74.7-0.7+9.7%
2005-0.41.6-3.4-3.76.71.35.5-1.21.8-0.85.1-1.2+11.2%
20043.81.91.8-4.92.0-0.2-4.90.13.91.57.32.7+15.4%
2003-4.1-1.54.46.96.93.71.15.92.23.53.00.3+36.7%
2002-6.0-2.34.7-7.4-1.1-11.3-14.57.0-12.515.05.5-3.6-26.8%
2001-7.3-16.613.27.96.2+0.2%
Rendimenti di prezzo in valuta del fondo, da chiusure settimanali (≈ fine mese). Indicativi.

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ETF USA · prezzi TwelveData · dati fondo API Ninjas / SEC EDGAR. Dati indicativi, non è consulenza finanziaria.